Rahoitus
publyear: 2016
73-84 / yhteensä 643

cover from: Google Books
Mobarek, Asma
Global Stock Market Integration : Co-Movement, Crises, and Efficiency in Developed and Emerging Markets
by Asma Mobarek, Sabur Mollah.
2016
197301
isbn:9781137367549

cover from: Google Books
Meziani, A. Seddik
Exchange-Traded Funds : Investment Practices and Tactical Approaches
by A. Seddik Meziani.
2016
197303
isbn:9781137390950

cover from: Google Books
Tennant, David F
Sovereign Debt and Credit Rating Bias
by David F. Tennant, Marlon R. Tracey.
2016
197304
isbn:9781137391506

cover from: Google Books
Jónsson, Ásgeir
The Icelandic Financial Crisis : A Study into the World's Smallest Currency Area and its Recovery from Total Banking Collapse
by Ásgeir Jónsson, Hersir Sigurgeirsson.
2016
197305
isbn:9781137394552

cover from: Google Books
Huang, Xueli
Managing Chinese Outward Foreign Direct Investment : From Entry Strategy to Sustainable Development in Australia
by Xueli Huang, Ying Zhu.
2016
197306
isbn:9781137394606

cover from: Google Books
Krambia-Kapardis, Maria
Corporate Fraud and Corruption : A Holistic Approach to Preventing Financial Crises
by Maria Krambia-Kapardis.
2016
197311
isbn:9781137406439

cover from: Google Books
Marine Insurance : Origins and Institutions, 1300–1850
edited by A. B. Leonard.
2016
197312
isbn:9781137411389

cover from: Google Books
Edoli, Enrico
Optimization Methods for Gas and Power Markets : Theory and Cases
by Enrico Edoli, Stefano Fiorenzani, Tiziano Vargiolu.
2016
197313
isbn:9781137412973

cover from: Google Books
James, Tom
Commodity Market Trading and Investment : A Practitioners Guide to the Markets
by Tom James.
2016
197315
isbn:9781137432810

cover from: Google Books
Scandizzo, Sergio
The Validation of Risk Models : A Handbook for Practitioners
by Sergio Scandizzo.
2016
197317
isbn:9781137436962

cover from: Google Books
Biswas, Rajiv
Asian Megatrends
by Rajiv Biswas.
2016
197319
isbn:9781137441898

cover from: Google Books
Robertson, Douglas
Managing Operational Risk : Practical Strategies to Identify and Mitigate Operational Risk within Financial Institutions
by Douglas Robertson.
2016
197320
isbn:9781137442178
Loading... loading more ...
Lähetä kirjan tiedot sähköpostilla:
email:
device_type: computer
thumb_size: normal
|
grid |
|